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Risk Manager

Amundi

Greater London

Hybrid

GBP 50,000 - GBP 70,000

Full time

Today
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Job summary

A leading asset management firm seeks a Risk Manager in London. The role involves managing risks across Fixed Income and Equity portfolios, ensuring compliance and governance. You will collaborate with various teams, develop internal risk frameworks and directly communicate with clients. A Master’s in Finance or related field, with 2+ years of relevant experience, is essential. The position offers a hybrid working model and values a proactive, detail-oriented approach towards work.

Qualifications

  • Minimum of 2 years' experience in Fixed Income (Global/EM) and Equity (EM) Markets risk management or investment.
  • Experience ideally within the asset management industry.

Responsibilities

  • Provide comprehensive global perspectives on risks.
  • Perform risk management activities for assigned portfolios.
  • Assess and define Investment Risk profiles for new products.
  • Prepare documentation for governance forums.
  • Manage key risk-related projects and enhance processes.

Skills

Proactive approach
Attention to detail
Interpersonal skills
Ability to prioritize
Financial market data proficiency
Python coding
VBA
Power BI

Education

Master’s degree in Finance, STEM, or related discipline
CFA or FRM preferred

Tools

Bloomberg
RiskMetrics
MS Office (Excel, Word, PowerPoint)
Job description

Types of Jobs - Risk Management / Control

Contract type: Permanent Contract

Date: 15/05/2026

Job summary

Amundi UK seeks a Risk Manager to join our Risk team, part of the firm’s second line of defense. The Risk team is integral to safeguarding the firm’s financial, commercial, and operational activities within the agreed risk appetite, ensuring robust risk governance for our clients and stakeholders.

We operate in a collaborative, diverse environment that values flexibility, innovation, intellectual curiosity, and diversity of thoughts.

Key Responsibilities
  • Provide a comprehensive global perspective on risks affecting FI (Global/EM) and Equity (EM) portfolios, including market, credit, liquidity, regulatory, valuation, counterparty, country, performance, and reputational risks.
  • Perform risk management activities for assigned FI /Equity portfolios, encompassing risk identification, measurement, assessment, mitigation, and timely escalation.
  • Develop, maintain, and review the internal Investment Risk framework and risk appetite for assigned portfolios, ensuring alignment with regulatory and firm-wide standards.
  • Conduct regular portfolio risk reviews with Investment Teams, managing communication of watch-list items to senior management.
  • Collaborate with the Amundi Risk Group to implement group-wide policies and procedures.
  • Assess and define the Investment Risk profile for new product initiatives, providing fact-based, justified recommendations to support product launches.
  • Monitor regulatory, prospectus, IMA, risk, and internal limits on assigned portfolios, both pre- and post-trade, ensuring compliance and managing escalations.
  • Deliver risk presentations and due diligence to existing and prospective clients.
  • Respond to regulatory and auditor requests, acting as a principal representative of the Risk function.
  • Prepare documentation for the Risk Management Committee, Board reporting, and other governance forums.
  • Manage key risk-related projects, including process redesign, automation initiatives, and implementation of AI-powered solutions, ensuring timely delivery and stakeholder engagement.
  • Work with a value adding mindset and exhibit engagement and ownership of all processes and deliverables taking steps to add efficiency in current processes.
  • Work collaboratively with local and international Risk teams, sharing best practices and contributing to transversal projects; act as a role model across the organisation.
Geographical area

Europe, United Kingdom

City

London

Hybrid working model: hybrid

Education

Master’s degree in Finance, STEM, or a related discipline. Professional qualifications such as CFA or FRM are strongly preferred.

Experience
  • Minimum of 2 years’ relevant experience in Fixed Income (Global/EM) and Equity (EM) Markets risk management or investment, ideally within the asset management industry.
Required skills
  • Proactive and autonomous approach with exceptional attention to detail and commitment to the highest standards of work.
  • Excellent interpersonal skills, with the ability to communicate complex concepts effectively to expert audiences in a multicultural environment.
  • Ability to prioritise effectively and meet deadlines in a dynamic environment.
  • Proficiency with financial market data providers (e.g., Bloomberg, RiskMetrics) and MS Office suite (Excel, Word, PowerPoint).
  • Previous job experience with Python coding or VBA, Power BI are advantageous.
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